Kaleesuwari refinery private limited
ActiveKaleesuwari is a trusted producer of edible food products, including quality cooking oils and dals, based in South India. Established in 1973, the company has evolved over five decades into a prominent manufacturer. They offer a diverse range of products aimed at ensuring the health and happiness of millions of families. Their product line includes cooking oils, pulses, lamp oil, and personal care items.
Company Overview
| Category | Company limited by shares |
| Class | Private |
| Sub-Category | Non-government company |
| Listed | Unlisted |
| Age | 41 years, -1 months, 15 days |
| Auth. Capital | ₹25,50,00,000 |
| Paid-Up Capital | ₹19,58,16,100 |
| Last AGM | 30-09-2024 |
| Last Balance Sheet | 31-03-2024 |
Business Activity
| NIC Code | 1514 |
| Sector | Manufacture of vegetable and animal oils and fats [Wet corn milling and production of corn oil is classified in Class 1532 and treatment of oils and fats by chemical processing is classified in Class 2429] |
| Division | MANUFACTURE OF FOOD PRODUCTS AND BEVERAGES |
| Group | Production; processing and preservation of meat; fish; fruit vegetables; oils and fats. |
Profit & Loss (Cr.)
Year-wise financial performance. All values in Indian Rupees Crore (Cr.).
| Financial Year | Paid Up Capital | Net Worth | Total Income | Total Expense | Profit Before Tax | Income Tax | Profit After Tax |
|---|---|---|---|---|---|---|---|
| 2024 | 19.58 | 1009.66 | 4168.56 | 4010.62 | 157.94 | 51.14 | 106.80 |
| 2023 | 19.78 | 902.85 | 5151.78 | 4927.41 | 224.37 | 47.70 | 176.67 |
| 2022 | 21.13 | 814.79 | 5457.20 | 5090.95 | 366.24 | 93.81 | 272.43 |
| 2021 | 25.25 | 723.19 | 4529.36 | 3959.82 | 569.54 | 176.92 | 392.62 |
| 2020 | 9.70 | 451.40 | 3402.76 | 3308.15 | 94.61 | 13.63 | 80.97 |
| 2019 | 9.70 | 374.79 | 3387.69 | 3368.57 | 19.13 | 7.42 | 11.71 |
| 2018 | 9.70 | 361.55 | 2860.06 | 2778.96 | 81.10 | 28.59 | 52.51 |
| 2017 | 9.70 | 311.81 | 2771.76 | 2703.36 | 68.40 | 22.22 | 46.18 |
| 2016 | 9.70 | 265.63 | 2667.98 | 2613.60 | 54.38 | 16.13 | 38.25 |
| 2015 | 9.70 | 227.38 | 2350.38 | 2309.40 | 40.98 | 8.87 | 32.11 |
Financial Performance Over the Years
Current Directors & Key Managerial Personnel
Directors currently active in Kaleesuwari refinery private limited.
| DIN | Name | Designation | Appointed On | Wealth Segment | Current Directorships |
|---|---|---|---|---|---|
| *****0862C | BALAJI NANDHINI | Company Secretary | 2024-09-16 | – | – |
| 00398555 | MUNUSWAMY ARUN | Director | 2004-06-11 | – | 11 |
| *****1770J | SURIYANARAYANAN SANKARANARAYANAN | CFO | 2021-12-02 | – | – |
| 00398643 | GURUSAMY MUNUSAMY | Managing Director | 1992-12-01 | – | 11 |
| 01418811 | KALEESWARI . | Director | 1992-12-01 | – | 2 |
| 02483082 | KALAVATHI . | Director | 1995-05-10 | – | 1 |
| 02483124 | KARUNAIANANDAM . | Director | 1995-05-01 | – | 4 |
| 03579939 | ASHOK KUMAR | Director | 2011-08-17 | – | 10 |
Past Directors & Key Managerial Personnel
Former directors who have ceased their association with Kaleesuwari refinery private limited.
| DIN | Name | Designation | Appointed On | Wealth Segment | Cessation Date |
|---|---|---|---|---|---|
| 05163313 | NITHYA PASUPATHY | Company Secretary | - | – | 2014-06-01 |
| 03579939 | ASHOK KUMAR | Additional Director | - | – | 2011-08-17 |
Open Charges
| Charge ID | 100052433 |
| Holder | YES BANK LIMITED |
| Amount | ₹1,10,00,00,000 |
| Created | 10-05-2016 |
| Assets | Book debts; Movable property (not being pledge); Currents assets, book debts & movable Property |
| Charge ID | 100130940 |
| Holder | SBICAP TRUSTEE COMPANY LIMITED |
| Amount | ₹8,47,09,00,000 |
| Created | 27-09-2017 |
| Assets | Immovable property or any interest therein; As per the MODTD dated 05.01.2022 attached hereto |
| Charge ID | 100100532 |
| Holder | HDFC BANK LIMITED |
| Amount | ₹2,87,50,00,000 |
| Created | 18-02-2017 |
| Assets | Book debts; Floating charge; Movable property (not being pledge); Current Assets, P&M, MFA |
| Charge ID | 100191793 |
| Holder | KOTAK MAHINDRA BANK LIMITED |
| Amount | ₹1,20,00,00,000 |
| Created | 27-06-2018 |
| Assets | Immovable property or any interest therein; Fixed Assets |
| Charge ID | 100265312 |
| Holder | HDFC BANK LIMITED |
| Amount | ₹30,00,00,000 |
| Created | 09-05-2019 |
| Assets | Floating charge; Movable property (not being pledge) |
| Charge ID | 100447319 |
| Holder | UNION BANK OF INDIA |
| Amount | ₹1,69,59,00,000 |
| Created | 20-04-2021 |
| Assets | Book debts; Movable property (not being pledge); GOODS,RAWMATERIAL, FIN.GOODS, CONSUMABLES, STORES |
| Charge ID | 100590019 |
| Holder | SBICAP TRUSTEE COMPANY LIMITED |
| Amount | ₹2,00,00,00,000 |
| Created | 15-06-2022 |
| Assets | Immovable property or any interest therein; As per Schedule II of MODTD dated 15.06.2022 |
Satisfied Charges
| Charge ID | 10529433 |
| Holder | RBL BANK LIMITED |
| Amount | ₹75,00,00,000 |
| Created | 22-09-2014 |
| Satisfied | 04-12-2019 |
| Assets | Immovable property or any interest therein; Movable property (not being pledge); Current Assets |
| Charge ID | 10250834 |
| Holder | Axis Bank Limited |
| Amount | ₹85,00,00,000 |
| Created | 10-11-2010 |
| Satisfied | 26-10-2021 |
| Assets | Book debts; Current Assets |
| Charge ID | 10191237 |
| Holder | Standard Chartered Bank |
| Amount | ₹1,50,00,00,000 |
| Created | 19-12-2009 |
| Satisfied | 05-03-2017 |
| Assets | null |
| Charge ID | 90308104 |
| Holder | State Bank of India |
| Amount | ₹3,14,59,00,000 |
| Created | 23-03-2005 |
| Satisfied | 26-10-2021 |
| Assets | Immovable property or any interest therein; Movable property (not being pledge); current assets |
| Charge ID | 90307588 |
| Holder | Union Bank of India |
| Amount | ₹70,00,00,000 |
| Created | 13-01-1996 |
| Satisfied | 27-10-2021 |
| Assets | Immovable property or any interest therein; Movable property (not being pledge); Current Assets |
| Charge ID | 10176289 |
| Holder | Axis Bank Limited |
| Amount | ₹29,40,00,000 |
| Created | 29-08-2009 |
| Satisfied | 22-07-2015 |
| Assets | Movable property (not being pledge) |
| Charge ID | 10369290 |
| Holder | ICICI BANK LIMITED |
| Amount | ₹82,00,00,000 |
| Created | 24-07-2012 |
| Satisfied | 14-08-2013 |
| Assets | Book debts; Movable property (not being pledge) |
| Charge ID | 10306203 |
| Holder | ICICI BANK LIMITED |
| Amount | ₹7,00,00,000 |
| Created | 12-04-2011 |
| Satisfied | 28-03-2013 |
| Assets | null |
| Charge ID | 10353752 |
| Holder | UNION BANK OF INDIA |
| Amount | ₹70,00,00,000 |
| Created | 16-04-2012 |
| Satisfied | 18-01-2013 |
| Assets | Book debts; Floating charge; Movable property (not being pledge) |
| Charge ID | 90287401 |
| Holder | UNION BANK OF INDIA |
| Amount | ₹87,93,00,000 |
| Created | 13-01-1996 |
| Satisfied | 18-01-2013 |
| Assets | null |
| Charge ID | 10128869 |
| Holder | AXIS BANK LIMITED |
| Amount | ₹8,50,00,000 |
| Created | 18-10-2008 |
| Satisfied | 19-07-2012 |
| Assets | null |
| Charge ID | 10206851 |
| Holder | 3i Infotech Trusteeship Services Limited |
| Amount | ₹60,00,00,000 |
| Created | 17-03-2010 |
| Satisfied | 01-05-2012 |
| Assets | null |
| Charge ID | 100099453 |
| Holder | IDFC BANK LIMITED |
| Amount | ₹70,00,00,000 |
| Created | 03-05-2017 |
| Satisfied | 10-11-2021 |
| Assets | Book debts; Floating charge; Movable property (not being pledge); Current Assets and Fixed Deposits |
| Charge ID | 100246785 |
| Holder | IDFC FIRST BANK LIMITED |
| Amount | ₹20,00,00,000 |
| Created | 13-03-2019 |
| Satisfied | 10-11-2021 |
| Assets | Book debts; Floating charge; Movable property (not being pledge); Current Assets, Movable Fixed Assets |
| Charge ID | 100409941 |
| Holder | SBM BANK (INDIA) LIMITED |
| Amount | ₹14,61,40,000 |
| Created | 21-10-2020 |
| Satisfied | 27-10-2021 |
| Assets | FIXED DEPOSIT |
| Charge ID | 100429024 |
| Holder | SBM BANK (INDIA) LIMITED |
| Amount | ₹45,00,00,000 |
| Created | 05-02-2021 |
| Satisfied | 27-10-2021 |
| Assets | Movable property (not being pledge); CURRENT ASSETS |
| Charge ID | 100561400 |
| Holder | Punjab National Bank |
| Amount | ₹50,00,00,000 |
| Created | 12-04-2022 |
| Satisfied | 16-07-2022 |
| Assets | Immovable property or any interest therein; Book debts; RAW MATERIAL/STOCK IN PROCESS/FIN.GOODS/RECEIVABLE |
Employee Trend (PF)
Monthly EPF contribution data showing employee headcount and wages paid.
| Month | Employee Count | Amount Paid (EPF) |
|---|---|---|
| JAN-25 | 40 | ₹1,51,463 |
| FEB-25 | 37 | ₹1,40,879 |
| MAR-25 | 36 | ₹1,38,608 |
| APR-25 | 43 | ₹1,33,970 |
| MAY-25 | 34 | ₹1,28,460 |
| JUN-25 | 33 | ₹1,25,283 |
| JUL-25 | 29 | ₹1,16,952 |
| AUG-25 | 28 | ₹1,09,938 |
About Kaleesuwari
Kaleesuwari refinery private limited (CIN: U15142TN1984PTC010763) is a active private company incorporated on 1984-03-28, registered under ROC Chennai. The company operates in the manufacture of vegetable and animal oils and fats [wet corn milling and production of corn oil is classified in class 1532 and treatment of oils and fats by chemical processing is classified in class 2429] sector (NIC Code: 1514).
For financial year 2024, Kaleesuwari refinery private limited reported a total income of ₹41,68,56,30,000, placing it in the 500+ Crore INR revenue bracket .
The company has 8 current directors : BALAJI NANDHINI , MUNUSWAMY ARUN , SURIYANARAYANAN SANKARANARAYANAN , GURUSAMY MUNUSAMY , KALEESWARI . , KALAVATHI . , KARUNAIANANDAM . , ASHOK KUMAR . 2 past directors are also on record.
Registered Address: OLD NO 21, NEW NO 53, RAJASEKARAN STREET MYLAPORE, NA, CHENNAI, Tamil Nadu 600004, India